Czech Journal of Economics and Finance
09/06/2020
The new issue (1/20) of Czech Journal of Economics and Finance has been released and brings the following papers:
Tomasz CHMIELEWSKI, Tomasz LYZIAK, Ewa STANISLAWSKA:
Risk-Taking Channel and Its Non-Linearities: The Case of an Emerging Market Economy
José SOARES DA FONSECA:
Performance Ratios for Selecting International Portfolios: A Comparative Analysis Using Stock Market Indices in the Euro Area
Tereza PALANSKA:
Measurement of Volatility Spillovers and Asymmetric Connectedness on Commodity and Equity Markets
Jorge GALLUD CANO, Felix J. LOPEZ-ITURRIAGA, Oscar LOPEZ-DE-FORONDA PEREZ:
Banks’ Legal Provisions and Financial Crisis: The Influence of Corporate Governance and Institutional Environment
The journal is published by Faculty of Social Sciences, Charles University and is currently edited by Roman Horváth (Editor-in-Chief), and Senior editors: Jarko Fidrmuc (Zeppelin University, Friedrichshafen), Martin Fukač (New Zealand Treasury), Evžen Kočenda (Faculty of Social Sciences, Charles University, Prague), Ondřej Schneider (IES, IIF), and Laurent Weill (University of Strasbourg).
Autor - Mgr. Jana Paulusová